美股市場個股詳情

DMG BLOCKCHAIN SOLUTIONS INC (DMGGF)

添加自選
  • 0.2129
  • -0.0121-5.39%
延時15分鐘行情收盤價 04/21 15:58 (美東)
4392.87萬總市值-7.34市盈率TTM

DMG BLOCKCHAIN SOLUTIONS INC (DMGGF) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2025/12/31
(FY)2025/09/30
(Q4)2025/09/30
(Q3)2025/06/30
(Q2)2025/03/31
(Q1)2024/12/31
(FY)2024/09/30
(Q4)2024/09/30
(Q3)2024/06/30
(Q2)2024/03/31
資產
流動資產
現金及現金等價物和短期投資
-74.89%116.36萬
465.04%1,127.74萬
465.04%1,127.74萬
87.96%241.66萬
-50.81%103.67萬
63.49%463.34萬
-8.32%199.59萬
-8.32%199.59萬
-43.24%128.57萬
-58.33%210.75萬
-現金和現金等價物
-76.26%101.47萬
0.14%168.14萬
0.14%168.14萬
130.51%202.19萬
-50.00%80.48萬
94.06%427.35萬
-6.19%167.91萬
-6.19%167.91萬
-50.71%87.71萬
-66.12%160.95萬
-短期投資
-58.63%14.89萬
2,928.99%959.59萬
2,928.99%959.59萬
-3.39%39.47萬
-53.43%23.19萬
-43.04%35.98萬
-18.14%31.68萬
-18.14%31.68萬
-15.92%40.86萬
62.37%49.8萬
應收款項
-19.40%387.11萬
-17.62%404.52萬
-17.62%404.52萬
22.85%396.13萬
84.93%388.88萬
58.96%480.29萬
98.26%491.03萬
98.26%491.03萬
-24.06%322.44萬
-43.18%210.28萬
-應收賬款
-29.35%15.7萬
-21.98%23.04萬
-21.98%23.04萬
-30.98%15.65萬
-19.96%15.7萬
-80.12%22.22萬
-48.87%29.53萬
-48.87%29.53萬
-94.66%22.67萬
-70.38%19.61萬
-應收稅費
-39.12%191.89萬
-34.98%195.89萬
-34.98%195.89萬
-28.74%214.67萬
10.17%211.42萬
64.27%315.22萬
56.99%301.26萬
56.99%301.26萬
--301.26萬
-59.55%191.89萬
-其他應收款
24.55%184.87萬
14.95%191.13萬
14.95%191.13萬
4,457.22%171.15萬
4,350.20%167.13萬
4,140.70%148.42萬
4,650.65%166.27萬
4,650.65%166.27萬
--3.76萬
119.64%3.76萬
-應收賬款調整額
3.96%-5.35萬
8.24%-5.54萬
8.24%-5.54萬
-1.91%-5.35萬
-7.75%-5.37萬
-11.53%-5.57萬
-10.10%-6.04萬
-10.10%-6.04萬
---5.25萬
97.11%-4.98萬
受限制現金
65.26%911.65萬
----
----
--911.65萬
--711.65萬
--551.65萬
----
----
----
----
其他流動資產
-10.24%4,878.16萬
58.00%5,477.07萬
58.00%5,477.07萬
31.05%5,118.52萬
28.88%5,451.73萬
112.06%5,434.61萬
99.96%3,466.47萬
99.96%3,466.47萬
87.57%3,905.7萬
146.49%4,229.94萬
流動資產合計
-9.14%6,296.32萬
68.68%7,012.36萬
68.68%7,012.36萬
53.12%6,671萬
32.62%6,658.97萬
96.75%6,929.89萬
63.40%4,157.09萬
63.40%4,157.09萬
59.39%4,356.72萬
93.72%5,021.21萬
非流動資產
固定資產淨額
67.95%5,048.99萬
-0.85%5,353.06萬
-0.85%5,353.06萬
-12.69%5,123.69萬
17.44%5,006.68萬
-31.23%3,006.26萬
13.91%5,399.03萬
13.91%5,399.03萬
16.54%5,868.11萬
-19.61%4,263.24萬
-固定資產
26.02%1.26億
4.97%1.25億
4.97%1.25億
9.70%1.3億
27.69%1.24億
5.55%9,969.43萬
27.16%1.19億
27.16%1.19億
--1.18億
8.22%9,711.61萬
-累計折舊
-7.91%-7,514.29萬
-9.78%-7,166.7萬
-9.78%-7,166.7萬
-31.76%-7,842.74萬
-35.72%-7,394.38萬
-37.25%-6,963.16萬
-40.71%-6,528.22萬
-40.71%-6,528.22萬
---5,952.1萬
-48.45%-5,448.37萬
商譽及其他無形資產
327.99%118.14萬
--118.14萬
--118.14萬
--27.6萬
--27.6萬
--27.6萬
--0
--0
----
----
-其他無形資產
--118.14萬
--118.14萬
--118.14萬
----
----
----
----
----
----
----
投資和預付款
0.00%4.5萬
0.00%4.5萬
0.00%4.5萬
0.00%4.5萬
0.00%4.5萬
0.00%4.5萬
0.00%4.5萬
0.00%4.5萬
0.00%4.5萬
0.00%4.5萬
長期應收款
10.72%727.52萬
10.69%709.14萬
10.69%709.14萬
-0.64%691.21萬
-0.66%673.74萬
-0.62%657.08萬
-0.62%640.65萬
-0.62%640.65萬
8.07%695.65萬
-1.25%678.21萬
長期預付費用
-99.46%5.81萬
-96.87%5.81萬
-96.87%5.81萬
297.78%837.48萬
-69.01%579.15萬
99.60%1,074.35萬
-42.99%185.63萬
-42.99%185.63萬
-70.08%210.54萬
120.29%1,868.76萬
非流動資產合計
23.80%5,904.96萬
-0.63%6,190.65萬
-0.63%6,190.65萬
-1.39%6,684.49萬
-7.67%6,291.68萬
-14.45%4,769.8萬
9.02%6,229.81萬
9.02%6,229.81萬
6.13%6,778.8萬
-0.41%6,814.71萬
總資產
-11.02%1.22億
27.11%1.32億
27.11%1.32億
19.94%1.34億
9.42%1.3億
50.73%1.37億
25.77%1.04億
25.77%1.04億
22.09%1.11億
25.45%1.18億
負債
流動負債
應付款項
92.93%695.54萬
23.80%622.72萬
23.80%622.72萬
29.12%616.74萬
-9.47%488.09萬
-25.71%360.52萬
28.36%503.02萬
28.36%503.02萬
7.54%477.66萬
26.01%539.16萬
-應付賬款
91.71%685.57萬
24.24%619.83萬
24.24%619.83萬
30.39%613.67萬
-9.79%485.2萬
-26.31%357.61萬
33.95%498.91萬
33.95%498.91萬
5.96%470.66萬
28.19%537.88萬
-應付稅費
243.05%9.98萬
-29.82%2.89萬
-29.82%2.89萬
-56.15%3.07萬
125.68%2.89萬
--2.91萬
-78.83%4.11萬
-78.83%4.11萬
--7萬
-84.51%1.28萬
應計費用
0.00%13.64萬
-6.48%13.64萬
-6.48%13.64萬
1,312.03%13.64萬
1,337.52%14.35萬
1,266.61%13.64萬
-0.14%14.58萬
-0.14%14.58萬
--9,658
4.44%9,979
短期借款與租賃負債
-18.80%1,628.9萬
-21.33%1,099.2萬
-21.33%1,099.2萬
-7.76%1,280.58萬
68.42%2,052.12萬
1,390.99%2,006.06萬
956.12%1,397.19萬
956.12%1,397.19萬
3,506.92%1,388.32萬
2,982.27%1,218.47萬
-短期借款
-19.12%1,619.24萬
-21.85%1,088.54萬
-21.85%1,088.54萬
-8.20%1,270.32萬
68.39%2,042.16萬
1,463.25%2,002.05萬
994.66%1,392.85萬
994.66%1,392.85萬
4,229.86%1,383.81萬
3,632.13%1,212.77萬
-短期租賃負債
141.00%9.66萬
145.20%10.66萬
145.20%10.66萬
127.35%10.26萬
74.77%9.96萬
-38.12%4.01萬
-13.99%4.35萬
-13.99%4.35萬
-30.90%4.51萬
-18.97%5.7萬
遞延負債
186.39%4.13萬
0.00%7,076
0.00%7,076
10.42%5.09萬
-99.84%113
-83.10%1.44萬
-96.02%7,076
-96.02%7,076
286.30%4.61萬
-91.20%7.05萬
流動負債總額
-1.66%2,342.21萬
-9.36%1,736.26萬
-9.36%1,736.26萬
2.38%1,916.04萬
44.68%2,554.56萬
278.41%2,381.66萬
244.18%1,915.51萬
244.18%1,915.51萬
286.80%1,871.55萬
221.93%1,765.68萬
非流動負債
長期借款與租賃負債
52.23%6.32萬
51.03%7.83萬
51.03%7.83萬
73.30%10.74萬
82.28%13.1萬
-49.10%4.15萬
25.82%5.18萬
25.82%5.18萬
-93.75%6.2萬
-92.77%7.19萬
-長期租賃負債
52.23%6.32萬
51.03%7.83萬
51.03%7.83萬
73.30%10.74萬
82.28%13.1萬
-49.10%4.15萬
25.82%5.18萬
25.82%5.18萬
33.02%6.2萬
13.91%7.19萬
非流動負債總額
52.23%6.32萬
51.03%7.83萬
51.03%7.83萬
73.30%10.74萬
82.28%13.1萬
-49.10%4.15萬
25.82%5.18萬
25.82%5.18萬
-93.75%6.2萬
-92.77%7.19萬
總負債
-1.56%2,348.54萬
-9.19%1,744.09萬
-9.19%1,744.09萬
2.61%1,926.78萬
44.83%2,567.67萬
274.22%2,385.81萬
242.58%1,920.69萬
242.58%1,920.69萬
222.10%1,877.75萬
173.64%1,772.86萬
所有者權益
股本
1.25%1.22億
7.18%1.21億
7.18%1.21億
7.03%1.2億
7.61%1.2億
8.03%1.2億
2.04%1.13億
2.04%1.13億
1.76%1.12億
1.22%1.12億
-普通股股本
1.25%1.22億
7.18%1.21億
7.18%1.21億
7.03%1.2億
7.61%1.2億
8.03%1.2億
2.04%1.13億
2.04%1.13億
1.76%1.12億
1.22%1.12億
留存收益
-10.65%-9,718.45萬
-12.12%-9,499.41萬
-12.12%-9,499.41萬
-19.90%-9,155.66萬
-25.72%-9,117.54萬
-21.10%-8,782.91萬
-6.58%-8,472.61萬
-6.58%-8,472.61萬
0.49%-7,635.98萬
-0.08%-7,252.18萬
不影響留存收益的損益
-30.88%1,779.02萬
206.80%3,205.64萬
206.80%3,205.64萬
168.42%2,900.8萬
-69.18%1,890.51萬
16,073.75%2,573.66萬
6,910.42%1,044.86萬
6,910.42%1,044.86萬
-79.07%1,080.71萬
23.02%6,133.17萬
其他權益
1.91%5,608.78萬
22.82%5,631.67萬
22.82%5,631.67萬
23.64%5,650.9萬
--5,577.34萬
20.73%5,503.63萬
0.76%4,585.31萬
0.76%4,585.31萬
--4,570.51萬
----
股東權益總額
-13.02%9,852.74萬
35.35%1.15億
35.35%1.15億
23.45%1.14億
3.18%1.04億
33.89%1.13億
9.98%8,466.21萬
9.98%8,466.21萬
8.43%9,257.78萬
14.52%1.01億
總權益
-13.02%9,852.74萬
35.35%1.15億
35.35%1.15億
23.45%1.14億
3.18%1.04億
33.89%1.13億
9.98%8,466.21萬
9.98%8,466.21萬
8.43%9,257.78萬
14.52%1.01億
貨幣單位
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
--
帶解釋段的無保留意見
--
--
--
--
無保留意見
--
--
--
(Q1)2025/12/31(FY)2025/09/30(Q4)2025/09/30(Q3)2025/06/30(Q2)2025/03/31(Q1)2024/12/31(FY)2024/09/30(Q4)2024/09/30(Q3)2024/06/30(Q2)2024/03/31
資產
流動資產
現金及現金等價物和短期投資 -74.89%116.36萬465.04%1,127.74萬465.04%1,127.74萬87.96%241.66萬-50.81%103.67萬63.49%463.34萬-8.32%199.59萬-8.32%199.59萬-43.24%128.57萬-58.33%210.75萬
-現金和現金等價物 -76.26%101.47萬0.14%168.14萬0.14%168.14萬130.51%202.19萬-50.00%80.48萬94.06%427.35萬-6.19%167.91萬-6.19%167.91萬-50.71%87.71萬-66.12%160.95萬
-短期投資 -58.63%14.89萬2,928.99%959.59萬2,928.99%959.59萬-3.39%39.47萬-53.43%23.19萬-43.04%35.98萬-18.14%31.68萬-18.14%31.68萬-15.92%40.86萬62.37%49.8萬
應收款項 -19.40%387.11萬-17.62%404.52萬-17.62%404.52萬22.85%396.13萬84.93%388.88萬58.96%480.29萬98.26%491.03萬98.26%491.03萬-24.06%322.44萬-43.18%210.28萬
-應收賬款 -29.35%15.7萬-21.98%23.04萬-21.98%23.04萬-30.98%15.65萬-19.96%15.7萬-80.12%22.22萬-48.87%29.53萬-48.87%29.53萬-94.66%22.67萬-70.38%19.61萬
-應收稅費 -39.12%191.89萬-34.98%195.89萬-34.98%195.89萬-28.74%214.67萬10.17%211.42萬64.27%315.22萬56.99%301.26萬56.99%301.26萬--301.26萬-59.55%191.89萬
-其他應收款 24.55%184.87萬14.95%191.13萬14.95%191.13萬4,457.22%171.15萬4,350.20%167.13萬4,140.70%148.42萬4,650.65%166.27萬4,650.65%166.27萬--3.76萬119.64%3.76萬
-應收賬款調整額 3.96%-5.35萬8.24%-5.54萬8.24%-5.54萬-1.91%-5.35萬-7.75%-5.37萬-11.53%-5.57萬-10.10%-6.04萬-10.10%-6.04萬---5.25萬97.11%-4.98萬
受限制現金 65.26%911.65萬----------911.65萬--711.65萬--551.65萬----------------
其他流動資產 -10.24%4,878.16萬58.00%5,477.07萬58.00%5,477.07萬31.05%5,118.52萬28.88%5,451.73萬112.06%5,434.61萬99.96%3,466.47萬99.96%3,466.47萬87.57%3,905.7萬146.49%4,229.94萬
流動資產合計 -9.14%6,296.32萬68.68%7,012.36萬68.68%7,012.36萬53.12%6,671萬32.62%6,658.97萬96.75%6,929.89萬63.40%4,157.09萬63.40%4,157.09萬59.39%4,356.72萬93.72%5,021.21萬
非流動資產
固定資產淨額 67.95%5,048.99萬-0.85%5,353.06萬-0.85%5,353.06萬-12.69%5,123.69萬17.44%5,006.68萬-31.23%3,006.26萬13.91%5,399.03萬13.91%5,399.03萬16.54%5,868.11萬-19.61%4,263.24萬
-固定資產 26.02%1.26億4.97%1.25億4.97%1.25億9.70%1.3億27.69%1.24億5.55%9,969.43萬27.16%1.19億27.16%1.19億--1.18億8.22%9,711.61萬
-累計折舊 -7.91%-7,514.29萬-9.78%-7,166.7萬-9.78%-7,166.7萬-31.76%-7,842.74萬-35.72%-7,394.38萬-37.25%-6,963.16萬-40.71%-6,528.22萬-40.71%-6,528.22萬---5,952.1萬-48.45%-5,448.37萬
商譽及其他無形資產 327.99%118.14萬--118.14萬--118.14萬--27.6萬--27.6萬--27.6萬--0--0--------
-其他無形資產 --118.14萬--118.14萬--118.14萬----------------------------
投資和預付款 0.00%4.5萬0.00%4.5萬0.00%4.5萬0.00%4.5萬0.00%4.5萬0.00%4.5萬0.00%4.5萬0.00%4.5萬0.00%4.5萬0.00%4.5萬
長期應收款 10.72%727.52萬10.69%709.14萬10.69%709.14萬-0.64%691.21萬-0.66%673.74萬-0.62%657.08萬-0.62%640.65萬-0.62%640.65萬8.07%695.65萬-1.25%678.21萬
長期預付費用 -99.46%5.81萬-96.87%5.81萬-96.87%5.81萬297.78%837.48萬-69.01%579.15萬99.60%1,074.35萬-42.99%185.63萬-42.99%185.63萬-70.08%210.54萬120.29%1,868.76萬
非流動資產合計 23.80%5,904.96萬-0.63%6,190.65萬-0.63%6,190.65萬-1.39%6,684.49萬-7.67%6,291.68萬-14.45%4,769.8萬9.02%6,229.81萬9.02%6,229.81萬6.13%6,778.8萬-0.41%6,814.71萬
總資產 -11.02%1.22億27.11%1.32億27.11%1.32億19.94%1.34億9.42%1.3億50.73%1.37億25.77%1.04億25.77%1.04億22.09%1.11億25.45%1.18億
負債
流動負債
應付款項 92.93%695.54萬23.80%622.72萬23.80%622.72萬29.12%616.74萬-9.47%488.09萬-25.71%360.52萬28.36%503.02萬28.36%503.02萬7.54%477.66萬26.01%539.16萬
-應付賬款 91.71%685.57萬24.24%619.83萬24.24%619.83萬30.39%613.67萬-9.79%485.2萬-26.31%357.61萬33.95%498.91萬33.95%498.91萬5.96%470.66萬28.19%537.88萬
-應付稅費 243.05%9.98萬-29.82%2.89萬-29.82%2.89萬-56.15%3.07萬125.68%2.89萬--2.91萬-78.83%4.11萬-78.83%4.11萬--7萬-84.51%1.28萬
應計費用 0.00%13.64萬-6.48%13.64萬-6.48%13.64萬1,312.03%13.64萬1,337.52%14.35萬1,266.61%13.64萬-0.14%14.58萬-0.14%14.58萬--9,6584.44%9,979
短期借款與租賃負債 -18.80%1,628.9萬-21.33%1,099.2萬-21.33%1,099.2萬-7.76%1,280.58萬68.42%2,052.12萬1,390.99%2,006.06萬956.12%1,397.19萬956.12%1,397.19萬3,506.92%1,388.32萬2,982.27%1,218.47萬
-短期借款 -19.12%1,619.24萬-21.85%1,088.54萬-21.85%1,088.54萬-8.20%1,270.32萬68.39%2,042.16萬1,463.25%2,002.05萬994.66%1,392.85萬994.66%1,392.85萬4,229.86%1,383.81萬3,632.13%1,212.77萬
-短期租賃負債 141.00%9.66萬145.20%10.66萬145.20%10.66萬127.35%10.26萬74.77%9.96萬-38.12%4.01萬-13.99%4.35萬-13.99%4.35萬-30.90%4.51萬-18.97%5.7萬
遞延負債 186.39%4.13萬0.00%7,0760.00%7,07610.42%5.09萬-99.84%113-83.10%1.44萬-96.02%7,076-96.02%7,076286.30%4.61萬-91.20%7.05萬
流動負債總額 -1.66%2,342.21萬-9.36%1,736.26萬-9.36%1,736.26萬2.38%1,916.04萬44.68%2,554.56萬278.41%2,381.66萬244.18%1,915.51萬244.18%1,915.51萬286.80%1,871.55萬221.93%1,765.68萬
非流動負債
長期借款與租賃負債 52.23%6.32萬51.03%7.83萬51.03%7.83萬73.30%10.74萬82.28%13.1萬-49.10%4.15萬25.82%5.18萬25.82%5.18萬-93.75%6.2萬-92.77%7.19萬
-長期租賃負債 52.23%6.32萬51.03%7.83萬51.03%7.83萬73.30%10.74萬82.28%13.1萬-49.10%4.15萬25.82%5.18萬25.82%5.18萬33.02%6.2萬13.91%7.19萬
非流動負債總額 52.23%6.32萬51.03%7.83萬51.03%7.83萬73.30%10.74萬82.28%13.1萬-49.10%4.15萬25.82%5.18萬25.82%5.18萬-93.75%6.2萬-92.77%7.19萬
總負債 -1.56%2,348.54萬-9.19%1,744.09萬-9.19%1,744.09萬2.61%1,926.78萬44.83%2,567.67萬274.22%2,385.81萬242.58%1,920.69萬242.58%1,920.69萬222.10%1,877.75萬173.64%1,772.86萬
所有者權益
股本 1.25%1.22億7.18%1.21億7.18%1.21億7.03%1.2億7.61%1.2億8.03%1.2億2.04%1.13億2.04%1.13億1.76%1.12億1.22%1.12億
-普通股股本 1.25%1.22億7.18%1.21億7.18%1.21億7.03%1.2億7.61%1.2億8.03%1.2億2.04%1.13億2.04%1.13億1.76%1.12億1.22%1.12億
留存收益 -10.65%-9,718.45萬-12.12%-9,499.41萬-12.12%-9,499.41萬-19.90%-9,155.66萬-25.72%-9,117.54萬-21.10%-8,782.91萬-6.58%-8,472.61萬-6.58%-8,472.61萬0.49%-7,635.98萬-0.08%-7,252.18萬
不影響留存收益的損益 -30.88%1,779.02萬206.80%3,205.64萬206.80%3,205.64萬168.42%2,900.8萬-69.18%1,890.51萬16,073.75%2,573.66萬6,910.42%1,044.86萬6,910.42%1,044.86萬-79.07%1,080.71萬23.02%6,133.17萬
其他權益 1.91%5,608.78萬22.82%5,631.67萬22.82%5,631.67萬23.64%5,650.9萬--5,577.34萬20.73%5,503.63萬0.76%4,585.31萬0.76%4,585.31萬--4,570.51萬----
股東權益總額 -13.02%9,852.74萬35.35%1.15億35.35%1.15億23.45%1.14億3.18%1.04億33.89%1.13億9.98%8,466.21萬9.98%8,466.21萬8.43%9,257.78萬14.52%1.01億
總權益 -13.02%9,852.74萬35.35%1.15億35.35%1.15億23.45%1.14億3.18%1.04億33.89%1.13億9.98%8,466.21萬9.98%8,466.21萬8.43%9,257.78萬14.52%1.01億
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 --帶解釋段的無保留意見--------無保留意見------
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